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Owner/AdministratorSep 2007 - Mar 2012 (4 years)
Responsible for the overall accounting and handling of finances of MONTE DE SION.
Administrative AssistantMar 2001 - Jul 2007 (6 years)
Responsible for the overall accounting of Siare Products. Maintained detailed inventory of labor and materials necessary for coffee production of the year in cycle. Coordinated bi-weekly payroll for 400+ workers.
Credit And CollectionsAug 2000 - Jan 2001 (5 months)
Responsible for the overall credit transactions of three mayor channels: SONY ENTERTAINMENT, AXN, and MUNDO OLE. Responsible for the credit & collections of the Pan Ad Sales. This covers over 50 companies in the United States and Mexico. The purse to collect was primarily the over 90 days accounts. Developed a good relationship with the clients and followed up with their history of payments and credit status. Coded the checks received to be sent to the home office and made sure the proper invoices were
Credit and CollectionsMar 2000 - Jul 2000 (4 months)
Responsible for organizing the company´s accounts in different regions of the world. This includes the Caribbean, Central and South America. Preparation of an agis to analyze which accounts are overdue and which are not. Prepare a strategy on how to collect from clients. Utilize the program BAAN to input the monthly invoices to be sent to clients. Apply the daily cash received and other functions related to the Accounts Receivables.
Administrative Assistant/Loan OfficerDec 1996 - Jan 2000 (3 years)
Responsible for preparing reports of the bank´s monthly expenses. Also responsible of reviewing employee´s loan applications to be sent to the credit committee for approval. Editor and Director of Banco Mercantil´s bimonthly newspaper "EL MUNDO BAMER" . Responsible for elaborating a fixed assets inventory work schedule. This entitles an inventory of all fixed assets in all the branches in Nicaragua. Review and analyze customer´s files. Also check for their credit standi
Assistant BookkeeperJun 1994 - Dec 1995 (1 year)
Responsible for preparing working files for assigned corporations for further preparation of Tax Returns. Performed light bank reconciliations. Data Entry for both Accounts Receivables and Accounts Payable